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setting_up_a_new_contract [2025/01/22 19:12] – tina.robles | setting_up_a_new_contract [2025/01/27 20:41] (current) – tina.robles | ||
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In the contract creation process: | In the contract creation process: | ||
- | Single Template Scenario: When only one default template is configured in the system, users will be automatically redirected to the Contract Create screen upon initiating the contract creation process. | + | **Single Template Scenario**: When only one default template is configured in the system, users will be automatically redirected to the Contract Create screen upon initiating the contract creation process. |
- | Multiple Template Scenario: If multiple templates are available, the system will display a Contract Template Selection dialog box. Users must then: a) Choose the appropriate template from the provided dropdown menu. b) Click the " | + | **Multiple Template Scenario**: If multiple templates are available, the system will display a Contract Template Selection dialog box. |
+ | Users must then: | ||
+ | a) Choose the appropriate template from the provided dropdown menu. | ||
+ | b) Click the " | ||
+ | c) Upon confirmation, | ||
{{: | {{: | ||
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Contract Structure Overview: | Contract Structure Overview: | ||
- | Contract Header: The Contract Header is comprised of four primary sections: a) Family Information b) Date Information c) Version Information d) Termination Information | + | Contract Header |
+ | The Contract Header is comprised of four primary sections: | ||
+ | a) Family Information | ||
+ | b) Date Information | ||
+ | c) Version Information | ||
+ | d) Termination Information | ||
Supplementary Tabs: The contract interface includes several supplementary tabs for comprehensive management: | Supplementary Tabs: The contract interface includes several supplementary tabs for comprehensive management: | ||
Line 511: | Line 520: | ||
__How the estimated volume is calculated: | __How the estimated volume is calculated: | ||
- | The estimated quantity of a product on the contract is calculated as follows: The purchase quantity displayed in the Show Purchases window is divided by the number of days in the specified date range to generate a daily purchase quantity. This daily quantity is then multiplied by the number of days the contract covers | + | **Estimated Quantity Calculation |
- | For example, if a product has a purchase quantity | + | Calculation Methodology: |
- | If the contract is being edited, amended, or renewed, and the selected product already exists on the contract, you will have the option to either update the estimated quantity with the purchase quantity or leave it unchanged. If you choose to update, only the estimated quantity will be modified, while the existing pricing will remain intact. | + | Example: |
+ | Annual Purchase: 810 units | ||
- | **UOM Difference:** If the product already exists on the contract with a unit of measure | + | Daily Quantity: 2.219 units |
+ | |||
+ | Contract Period: 01/01/2018 - 01/ | ||
+ | |||
+ | Estimated Quantity: 2.219 × 31 ≈ 69 units | ||
+ | |||
+ | Contract Modification Scenarios: | ||
+ | |||
+ | For existing products during edits, amendments, or renewals: a) Option to update | ||
+ | |||
+ | Note: Pricing remains unaffected by quantity updates | ||
+ | |||
+ | Unit of Measure (UOM) Considerations: | ||
+ | System accommodates UOM discrepancies (e.g., | ||
+ | Automatic conversion applied | ||
+ | |||
+ | Product Uniqueness: | ||
+ | Each product or product grouping limited to one entry per contract | ||
- | **Note:** A specific product or product grouping can only be added to a contract once. | ||
---- | ---- | ||
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{{: | {{: | ||
- | The Estimated Quantity | + | Estimated Quantity |
+ | |||
+ | Volume Update Options: | ||
+ | b) Base Data-Based Updates | ||
+ | |||
+ | Process: | ||
+ | Select | ||
+ | |||
+ | Example: 50% input increases base volume by half | ||
+ | |||
+ | Calculation Implementation: | ||
+ | |||
+ | System applies specified percentage increase to base volume | ||
+ | Adjustments reflect proportional changes to original quantities | ||
{{: | {{: | ||
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__Hidden Columns in the Product Grid__ | __Hidden Columns in the Product Grid__ | ||
- | The Allow Inactive Product, Won, Competitive Info, Base Quantity | + | **Grid Column Customization** |
+ | |||
+ | Default Hidden Columns: | ||
+ | Allow Inactive Product, Won, Competitive Info, Base Quantity, Objective Quantity | ||
+ | |||
+ | Column Display Process: a) Access Settings: Position cursor within | ||
+ | b) Column Selection: Navigate | ||
{{: | {{: | ||
---- | ---- | ||
- | Column | + | **Product Grid Column |
- | 1. Item Identifier: | + | __Standard Identification Columns__: |
- | 2. Item Name: | + | __Item |
- | 3. Item Type: Either | + | __Item |
- | 4. Unit of Measure: This will vary by manufacturer based off the UOM options | + | __Unit |
+ | Note: Determines | ||
- | 5. Item Price: | + | __Item |
+ | Note: Not reflective of contract-specific | ||
- | 6. Estimated Quantity: | + | __Volume-Related Columns__: |
+ | Impact: Critical | ||
- | 7. Lift Quantity: | + | __Lift |
- | 8. Base Quantity: | + | __Base |
- | 9. Rebate Direct Value Type: **Blue column** | + | __Direct Rebate Columns (Blue)__: |
- | + | ||
- | 10. Rebate Direct Value: | + | |
- | 11. Rebate | + | __Rebate |
- | 12. Rebate Deviated Value Type: **Pink column** | + | __Rebate Direct |
- | 13. Rebate Deviated Value: | + | __Deviated Rebate Columns (Pink)__: 12. Rebate Deviated Value Type-Options: Numeric or Percent-Application: |
- | 14. Rebate | + | __Rebate |
- | 15. Allow Inactive Product: When creating a Contract with a Product Grouping, the creator has the option to Allow Inactive Products | + | __Rebate Deviated Type-Options__: Fixed Rate or Fixed Price-Impact: |
- | 16. Won: | + | __Additional Tracking Columns__: 15. Allow Inactive Product-Purpose: Product Grouping management-Function: Controls inactive product eligibility |
- | 17. Competitive Info: Use this section to enter in Competitive Info for the Product row to track which manufacturer won the bid. Users who have access to the Contract and Edit rights can add this information in View or Edit mode. | + | __Won-Purpose__: Bid tracking-Impact: |
- | If the contract type is **Growth** you will see a few different columns: | + | __Competitive Info-Purpose__: Bid winner tracking |
- | 1. Rebate Growth Value Type: | + | __Access__: Editable by authorized users |
- | 2. Rebate Growth Type: | + | __Growth Contract Specific Columns-Rebate Growth |
- | 3. | + | __Rebate |
+ | |||
+ | __Growth | ||
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{{: | {{: | ||
- | The Forecast Quantity | + | **Forecast Quantity |
- | The forecast quantity is calculated for the contract time frame by taking the product for the contractee, calculating a daily quantity, then multiplying that by the count of days in the contract. | + | Forecast Quantity Display Prerequisites: |
+ | | ||
+ | | ||
+ | - Product selection from Forecast file | ||
+ | - Contract must be saved for display/update | ||
- | The quantity displayed is based on UOM and will be converted if the contract UOM is different than the forecast quantity UOM. | + | Calculation Methodology: |
- | For product groupings, the forecast quantity that displays is a sum of the forecast quantity | + | Example: |
+ | Forecast: 50 units for 01/ | ||
+ | Daily Quantity: 50 / 59 ≈ 0.84 units/day, | ||
+ | Contract Period: 01/01/2018-01/31/2018 (31 days), | ||
+ | Contract Forecast Quantity: 0.84 × 31 ≈ 26.27 units | ||
- | If the Contractee is a Company Grouping, the value displayed will be a sum of the forecast | + | Unit of Measure (UOM) Considerations: |
+ | System performs automatic UOM conversion if contract and forecast | ||
- | The Uptick | + | Product Grouping Calculations: |
+ | Forecast quantity represents sum of all products within grouping | ||
+ | Exclusion mechanism: Prevents double-counting when individual products and their grouping are on the same contract | ||
+ | |||
+ | Company Grouping Aggregation: | ||
+ | For Company Grouping contractees, | ||
+ | |||
+ | Uptick | ||
+ | Purpose: Displays variance | ||
+ | |||
+ | Mass Update Feature- | ||
+ | Function: Aligns Estimated Quantity with Forecast Quantity | ||
+ | Process: Select relevant product rows and click "Mass Update" | ||
+ | Options: Set Estimated Quantity equal to or increased from Forecast Quantity | ||
- | To update the Estimated Quantity to be equal to or an increase of the Forecast Quantity, select the product rows to update and click Mass Update. | ||
{{: | {{: | ||
- | Check the Estimated | + | **Forecast |
+ | |||
+ | Row Activation: | ||
+ | * Enable modification by selecting Estimated Quantity checkbox | ||
+ | * Choose "Forecast Data" from Modification Type options | ||
+ | |||
+ | Quantity Adjustment: | ||
+ | * For exact forecast matching: | ||
+ | * For percentage increase: Enter desired percentage value | ||
+ | |||
+ | Finalize changes: | ||
+ | |||
+ | Critical Update Requirements: | ||
+ | * Contractee | ||
+ | * Start Date | ||
+ | * End Date | ||
+ | * Product additions/ | ||
+ | * Product Grouping additions/ | ||
+ | * Unit of Measure (UOM) changes | ||
- | **Important Note**: If any of the following fields are changed, the contract will need to be saved in order to show the updated Forecast Quantity: Contractee, Start Date, End Date, Product added/ | ||
----- | ----- | ||
**Product Grouping Pricing Options** | **Product Grouping Pricing Options** | ||
- | If a Product Grouping | + | **Product Grouping |
+ | |||
+ | Pricing Precedence | ||
+ | |||
+ | Principle: Lowest-level | ||
+ | * Application: | ||
+ | |||
+ | Zero-Rate Implications: | ||
+ | * Scenario: | ||
+ | * Result: Generates | ||
+ | * Scope: Affects | ||
+ | * Benefit: Allows payment for other products | ||
+ | |||
+ | Product Hierarchy Verification: | ||
+ | * Method: Hover mouse over product group name | ||
+ | * Display: Pop-up list of group members | ||
+ | * Interpretation: | ||
+ | * Implication: | ||
- | To ensure correct pricing for product groupings, the product hierarchy must be accurate. You can view the members of a product group by hovering your mouse over the product group name, which will display a pop-up list of the products in the group. If no pop-up appears, the product grouping is empty, and the pricing | + | Empty Grouping Caution: |
+ | Risk: Pricing | ||
+ | Recommendation: | ||
----- | ----- | ||
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__LumpSum Tab__ | __LumpSum Tab__ | ||
{{: | {{: | ||
- | Sometimes you may want to allocate funds to a contractee that are not tied to specific SKUs. The LumpSum Tab is where you can include these non-SKU-based deals. | ||
- | On the right-hand side, you will see all the eligible lump sums set up by your Admin. Simply left-click on a lump sum and drag it to the left-hand side, then fill in the description and amount. You can set up as many of these as needed. As you add more lump sums, the Probable Exposure of the contract will increase. | + | **Lump Sum Allocations: |
- | **Note: | + | The Lump Sum tab allows for the allocation of funds to contractees that are not associated with specific SKUs. This feature provides flexibility for non-product-based financial arrangements. |
- | **Lumpsum Allocations** | + | Process: |
+ | | ||
+ | | ||
+ | | ||
+ | | ||
+ | Note: Lump sums can be added multiple times within a contract. Each instance requires a unique, manually entered description. | ||
- | Lumpsums on a Contract can be set up to allocate percentages to products. | + | **Product-Level Allocation (Optional Feature)** |
+ | |||
+ | For clients requiring all expenditures to be allocated | ||
+ | |||
+ | When enabled: | ||
+ | * Add lump sum events as usual. | ||
+ | * Product Allocation | ||
+ | * Allocate percentages of the lump sum to relevant products. | ||
- | Add the lumpsum events. | ||
{{: | {{: | ||
- | To define | + | **Configuring Product Allocations** |
+ | |||
+ | * Select " | ||
+ | * In the Lump Sum Product Allocation window, locate and click the "Add Products" button | ||
{{: | {{: | ||
- | Choose | + | **Product Allocation Configuration** |
+ | |||
+ | * Select | ||
+ | * Click " | ||
+ | * Specify | ||
+ | |||
{{: | {{: | ||
- | The Contract Products | + | **Product Selection Tabs** |
+ | |||
+ | * Contract Products | ||
+ | * All Products | ||
{{: | {{: | ||
- | The total allocation must equal 100% in order to save, and no products | + | **Allocation Requirements and Constraints** |
+ | |||
+ | * Total allocation must sum to 100% for successful saving | ||
+ | * Minimum allocation per product: 1% | ||
+ | * Maximum number of products | ||
+ | * Zero percent (0%) allocations are not permitted | ||
+ | * Quick Allocation: Use the "Allocate Evenly" | ||
+ | |||
{{: | {{: | ||
Line 693: | Line 830: | ||
{{: | {{: | ||
- | To delete an allocation, click to highlight | + | **Removing Product Allocations** |
+ | |||
+ | * Select | ||
+ | * Click "Delete Selected" to remove the highlighted allocation | ||
{{: | {{: | ||
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{{: | {{: | ||
- | If you set up a contract where a deviated fixed rate or price is involved, this is where you select the eligible | + | **Distributor Eligibility for Deviated Pricing Contracts** |
+ | |||
+ | When establishing contracts with deviated fixed rates or pricing, designating authorized | ||
+ | |||
+ | Available Distributor Views: | ||
+ | * Distributors Tab-Displays individual operating companies (OpCos),Lists location-specific details including city and state, Enables selection at the individual facility level | ||
+ | * Distributor Groupings Tab-Shows corporate-level distributor entities, Allows efficient selection of multiple locations under one corporate umbrella | ||
+ | |||
+ | Example: Selecting a corporate group (e.g., Sysco Corporation) automatically includes all associated OpCos | ||
- | On the right hand side you'll see all the distributors your Admin Person set up. The distributor' | ||
{{: | {{: | ||
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__Exclusions Tab__ | __Exclusions Tab__ | ||
- | Exclusions | + | **Contract |
+ | |||
+ | Purpose: Exclusions modify standard contract rates for specific entities within | ||
+ | |||
+ | Example | ||
+ | * In buying group contracts with tiered memberships. Some distributors | ||
+ | * Configuration Process: Company-Level Exclusions-Use | ||
+ | * Specific Exclusions- Company-Product: | ||
+ | * Drag selected combinations to the grid | ||
- | To add an Exclusion, select a company, company-product or company-product grouping from the company and product lists on the right and drag it onto the grid. To add just a company, search for the company by using the filters at the top of the grid, select the row and drag it onto the grid. To add a company-product or company-product grouping, select the company and product/ | ||
{{: | {{: | ||
- | The result | + | **Exclusion Configuration Results** |
+ | |||
+ | * Upon successful entry, the grid will display: | ||
+ | * Company details | ||
+ | * Product | ||
+ | * Percentage adjustment fields | ||
{{: | {{: | ||
Line 726: | Line 886: | ||
**Reduction Percent** | **Reduction Percent** | ||
- | The value entered | + | Rate Reduction Calculation Guide |
+ | |||
+ | The entered reduction | ||
+ | Example: | ||
+ | * Standard Contract Rate: 4% | ||
+ | * Desired Rate: 3% | ||
+ | * Required Reduction: | ||
+ | |||
+ | Formula: To achieve a lower target rate, enter the percentage reduction that will decrease the standard rate to the desired level. | ||
---- | ---- | ||
Line 732: | Line 901: | ||
__Backout Tab__ | __Backout Tab__ | ||
- | Backouts are for companies which are the contractees of OTHER CONTRACTS, where the volume billed back on claims for those contracts by distributors on THIS CONTRACT should reduce earnings against sales data by that amount (or a reduced rate). | + | **Backout Configuration |
- | To add a Backout, select a company, company-product or company-product grouping from the company and product lists on the right and drag it onto the grid. | + | Purpose: Backouts adjust earnings on the current contract based on volume claimed under separate contracts. This mechanism ensures accurate financial reconciliation across multiple agreements. |
+ | |||
+ | Scenario Example: | ||
+ | * USF Corp contract backout | ||
+ | * Any cheese volume claimed on Outback billbacks | ||
+ | * During | ||
+ | * Will be deducted from earnings on the USF Corp contract | ||
+ | |||
+ | Configuration Process: | ||
+ | Company-Level Backouts | ||
+ | * Utilize filter tools to locate | ||
+ | * Select | ||
+ | * Specific Backouts | ||
+ | * Company-Product: Select both company and product rows | ||
+ | * Company-Product Grouping: Select | ||
+ | * Drag selected combinations | ||
+ | |||
{{: | {{: | ||
- | The result will be the company and product | + | **Backout Entry Results** |
+ | |||
+ | Upon completion, | ||
+ | * Company | ||
+ | * Product details | ||
+ | * Percentage adjustment fields per row | ||
{{: | {{: | ||
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**Reduction Percent** | **Reduction Percent** | ||
- | The value entered as the reduction percent will reduce the pricing by the percent entered. | + | Backout Rate Calculation Guide |
+ | The entered reduction percentage decreases the standard contract rate proportionally for backout calculations. | ||
+ | Example: | ||
+ | * Standard Contract Rate: 4% | ||
+ | * Desired Backout Rate: 3% | ||
+ | * Required Reduction: 25% | ||
+ | |||
+ | Formula: To achieve the target backout rate, enter the percentage reduction that will decrease the standard rate to the desired level. | ||
+ | |||
+ | Note: The reduction percentage represents the proportion by which the original rate should be decreased, not the final backout rate itself. This ensures accurate adjustment of earnings based on cross-contract volume claims. | ||
Line 753: | Line 953: | ||
__Client Defined Fields Tab__ | __Client Defined Fields Tab__ | ||
- | If your company has extra information it wants to track on each contract, your Admin person would set up various | + | **Custom Contract Fields (User Defined Fields)** |
+ | |||
+ | Your organization may implement custom tracking fields to capture contract-specific information: | ||
+ | |||
+ | Field Requirements: | ||
+ | * Required fields are marked with a red asterisk | ||
+ | * Unmarked fields are optional | ||
+ | |||
+ | Note: These customizable fields | ||
---- | ---- | ||
Line 759: | Line 967: | ||
__History Tab__ | __History Tab__ | ||
{{: | {{: | ||
- | This area tracks | + | |
+ | **Contract Audit Trail** | ||
+ | |||
+ | This section provides a comprehensive chronological record of all contract-related activities. | ||
+ | |||
+ | Tracked Information: | ||
+ | * Contract submissions | ||
+ | * Approval | ||
+ | * Amendments | ||
+ | * Renewals | ||
+ | * Other significant contract actions | ||
+ | |||
+ | Each entry in the audit trail includes: | ||
+ | * User identification (Who) | ||
+ | * Action description (What) | ||
+ | * Timestamp (When) | ||
+ | |||
+ | This detailed log ensures full transparency | ||
---- | ---- | ||
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{{: | {{: | ||
- | Notes and attachments entered on one version of a contract will carry over and display on all versions of that contract. The Identifier column | + | **Notes and Attachments: |
+ | |||
+ | Key Features: | ||
+ | * Notes and attachments persist across | ||
+ | * The Identifier column | ||
+ | * This continuity ensures comprehensive documentation throughout | ||
+ | |||
+ | Adding New Entries: To include additional notes or attachments, | ||
+ | |||
+ | This functionality maintains a cohesive record of all relevant information, | ||
- | Click the Add button located on the bottom left of the screen. | ||
{{: | {{: | ||
- | The Note Editor | + | **Note Editor and Attachment Management** |
- | To add attachments there are a couple steps. | + | Note Creation: |
- | + | * Enter text directly or paste from external sources | |
- | 1. Click the Update Files button | + | * Apply formatting using available toolbar options |
+ | * Optional: Notify specific users via email functionality | ||
+ | |||
+ | Attachment Process: | ||
+ | - Access attachment interface via "Update Files" | ||
+ | - Select file(s) for upload using system dialog | ||
+ | - Confirm selection with " | ||
- | 2. Find the file you want to upload | + | Key Features: |
+ | * Multiple attachments supported per note | ||
+ | * Batch file upload | ||
+ | * Rich text formatting options | ||
+ | * User notification system | ||
- | You can choose 1 to many attachments at one time. | ||
{{: | {{: | ||
- | You can also drag a document from your folder to this section to upload it. Add the file where it says draft files here. | ||
+ | **Additional Attachment Options and Notifications** | ||
+ | |||
+ | Alternative File Upload Method: | ||
+ | * Drag and drop files directly from your local folders to the "Draft Files" area | ||
+ | * This method offers a streamlined approach to file attachment | ||
+ | |||
+ | User Notification: | ||
+ | - To alert relevant parties about the new note: | ||
+ | - Locate and click the " | ||
+ | - Select appropriate recipients from the available list | ||
- | 3. If there are people who need to receive a Notification on the note entered, click the Notify Accounts button. | ||
{{: | {{: | ||
- | This will open a Select Accounts window. The top row is a filter | + | **Recipient Selection for Note Notifications** |
+ | |||
+ | Accessing the Selection Interface: | ||
+ | * The "Select Accounts" | ||
+ | |||
+ | Recipient Search and Selection: | ||
+ | - Utilize the top row filter to search for specific | ||
+ | - Highlight desired recipient rows for selection | ||
+ | - For multiple selections: Use Shift key for contiguous selections, Use Ctrl key for non-contiguous selections | ||
{{: | {{: | ||
- | The Notified Accounts will display at the top of the Note Editor. | + | **Finalizing |
+ | Confirmation of Notified Users: | ||
+ | * Selected recipients appear at the top of the Note Editor interface | ||
+ | |||
+ | Saving and Display: | ||
+ | * After completing note content, adding attachments, | ||
+ | * The Notes & Attachments grid will update to reflect: Formatted text as entered in the Note Editor and a count of associated attachments in the dedicated column | ||
- | Once the notes, attachments and users are added, click Save. The text will display in the Notes & Attachments grid as it was formatted in the Note Editor. | ||
{{: | {{: | ||
- | To cancel the action, click the Close button. | + | **Note and Attachment Options** |
+ | |||
+ | Cancellation: | ||
+ | * Select "Close" to exit without saving changes | ||
+ | |||
+ | Flexibility in Documentation: | ||
+ | * Notes and attachments can be added independently | ||
+ | * Neither field is mandatory | ||
+ | |||
+ | Options include: | ||
+ | * Note only | ||
+ | * Attachment only | ||
+ | * Both note and attachment | ||
- | Both the notes and attachment fields are optional. | ||
----- | ----- | ||
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__Letters Tab__ | __Letters Tab__ | ||
- | After the contract is approved, use the Contractee | + | **Post-Approval Contract Communications** |
+ | |||
+ | Contract Letters Distribution System | ||
+ | |||
+ | Two Types of Notification Letters: | ||
+ | * Contractee Letters: Communicate | ||
+ | * Distributor Billback Letters: Detail rebate structures | ||
+ | * Incorporates | ||
+ | * Products | ||
+ | |||
+ | Navigation Features: | ||
+ | * Advanced filtering options at grid top | ||
+ | * Sortable columns for efficient company | ||
+ | |||
+ | Note: Private Label Group products are exclusively visible on letters to distributors within their designated groups, ensuring confidentiality and appropriate information distribution. | ||
{{: | {{: | ||
- | Click here for more information on how your letters are built.[[client_letter_admin]] | + | **Accessing Contract Letters** |
+ | |||
+ | For detailed | ||
+ | |||
+ | Post-Approval Letter Retrieval Process: | ||
+ | - Once the contract is approved, locate and click the " | ||
+ | - In the resulting " | ||
- | After the contract is Approved, click the Download button to view the letter. | ||
{{: | {{: | ||
- | If the Enable | + | **Optional Letter Customization** |
+ | |||
+ | Additional Verbiage | ||
+ | |||
+ | * Supplementary text sections appear in the dropdown | ||
+ | * Custom | ||
+ | * Add specific content as needed | ||
+ | * Leave blank if no additional text is required | ||
+ | |||
+ | Note: This feature' | ||
+ | |||
{{: | {{: | ||
- | The only available | + | **Letter Generation and Access** |
+ | |||
+ | Export | ||
+ | * PDF is the sole available format for letter export | ||
+ | |||
+ | Generation Process: | ||
+ | - Click "Generate Report" | ||
+ | - The system | ||
+ | |||
+ | Accessing the Generated Letter: | ||
+ | * Upon completion, | ||
+ | * Click the hyperlink to open and view the PDF letter | ||
{{: | {{: | ||
- | To close the download window click the close button in the bottom right hand corner | + | **Exiting Letter Download Interface** |
+ | |||
+ | To return to the main interface: | ||
+ | |||
+ | * Select | ||
+ | |||
+ | This action will close the download | ||
{{: | {{: | ||
----- | ----- | ||
__Contact Tab__ | __Contact Tab__ | ||
- | This displays | + | **Contract Contact Information** |
+ | |||
+ | This section provides key details for the primary contact associated with the contract: | ||
+ | * Name | ||
+ | * Email address | ||
+ | * Phone number | ||
+ | |||
+ | Purpose: To maintain a centralized record of the key contact for this agreement. This information facilitates: | ||
+ | * Efficient communication during the contract' | ||
+ | * Streamlined renewal processes | ||
+ | * Continuity in contract management | ||
+ | |||
+ | By keeping | ||
+ | |||
{{: | {{: | ||
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__Exposure Tab__ | __Exposure Tab__ | ||
- | To Generate | + | **Exposure |
+ | To calculate contract exposure: | ||
+ | * Locate and select the " | ||
+ | |||
+ | This action initiates the contract exposure calculation process. | ||
+ | |||
+ | |||
{{: | {{: | ||
- | This will generate the exposure and stacked data and display the information on several | + | **Exposure Data Generation and Display** |
+ | |||
+ | Process Results: | ||
+ | |||
+ | * System generates | ||
+ | * Information is organized across multiple | ||
+ | |||
+ | Volume Management: For contracts with extensive company listings: | ||
+ | |||
+ | * System | ||
+ | * Use company name dropdown to select specific companies for display | ||
+ | * This feature allows for focused analysis of relevant data sets | ||
+ | |||
+ | Note: This selective display capability ensures efficient system performance while maintaining access to critical information. | ||
{{: | {{: | ||
Line 851: | Line 1207: | ||
{{: | {{: | ||
- | The Summary Tab will display the Exposure, Actuals and Remaining Amounts. | + | **Exposure |
- | Please see the Probable Exposure Explained section | + | Summary Tab Contents: |
+ | |||
+ | * Exposure projections | ||
+ | * Actual figures | ||
+ | * Remaining amounts | ||
+ | |||
+ | For a comprehensive understanding of the Exposure tab and its calculations, | ||
----- | ----- | ||
__Claims Tab__ | __Claims Tab__ | ||
{{: | {{: | ||
- | This area shows you all the claims | + | |
+ | **Contract Claims Management** | ||
+ | |||
+ | Claims Overview: | ||
+ | |||
+ | Accessing Claim Details: | ||
+ | |||
+ | * Click on the hyperlinked | ||
+ | |||
+ | Submitting | ||
+ | |||
+ | * Locate and select | ||
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{{: | {{: | ||
- | Remember to hit the Save button | + | **Finalizing Contract Actions** |
- | If you created the contract | + | |
+ | Save Contract: | ||
+ | |||
+ | * Click "Save" | ||
+ | * Contract | ||
+ | |||
+ | Contract Removal: | ||
+ | |||
+ | * If contract | ||
+ | * This action discards all entered information | ||
+ | |||
+ | Note: Ensure all required information is accurate before saving or reverting, as these actions directly affect contract status. | ||
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{{: | {{: | ||
- | Click on the Submit button in the top right of the screen when the contract is ready to be Submitted. | + | **Contract Submission Process** |
+ | |||
+ | When the contract is finalized and ready for review: | ||
+ | |||
+ | - Locate | ||
+ | - Click " | ||
+ | |||
+ | System Actions: | ||
+ | |||
+ | * Contract | ||
+ | * Approval | ||
+ | |||
+ | Confirmation: | ||
+ | |||
+ | * A notification will appear, confirming | ||
+ | * The current | ||
+ | This action moves the contract into the formal review and approval workflow. | ||
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